MAINSTREAM INVESTMENT ADVISERS LLC
13F-HR, 2000-10-17
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                        UNITED STATES
                    SECURITIES AND EXCHANGE COMMISSION
                         Washington, D.C.  20549

                              FORM 13F

                         FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  September 30, 2000

Check here if Amendment [  ]; Amendment Number:
This Amendment (Check only one.):  [  ] is a restatement.
                                   [  ] adds new holdings entries.

Institutional Investment Management Filing this Report:

Name:     Mainstream Investment Advisers, LLC
Address:  101 West Spring Street
          Fourth Floor
          New Albany, IN 47150

13F File Number:  28-6888

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:          Diane J. Hulls
Title:         Director
Phone:         812-981-7053
Signature, Place, and Date of Signing:

     Diane J. Hulls    New Albany, Indiana   October 11, 2000


Report Type (Check only one.):

[x ]      13F HOLDINGS REPORT.

[  ]      13F NOTICE.

[  ]      13F COMBINATION REPORT.

List of other Managers Reporting for this Manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>


                    FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      0

Form 13F Information Table Entry Total: 125

Form 13F Information Table Value Total:  $94,939,078



<PAGE>
<TABLE>
<CAPTION>                                        FAIR
                            TITLE              MARKET   SHARES OF
                             OF    CUSIP        VALUE   PRINCIPAL  SOLE  SHARED  OTHER            SOLE  SHARED   NONE
NAME OF ISSUER              CLASS  NUMBER     (x$1000)   AMOUNT    (A)    (B)     (C)   MANAGERS  (A)     (B)    (C)
-------------------------------------------------------------------------------------------------------------------
<S>                        <C>    <C>           <C>      <C>      <C>     <C>     <C>   <C>      <C>     <C>    <C>


 ADAC LABORATORIES NEW      OTC IS 005313200      312     15000 N  X                     230       15000
 AMEREN CORP                COMMON 023608102      837     20000 N  X                     230       20000
 AETNA INC                  COMMON 008117103     2032     35000 N  X                     230       35000
 AMERICAN FINL GROUP INC    COMMON 025932104      621     26800 N  X                     230       26800
 AMERADA HESS CORP          COMMON 023551104      335      5000 N  X                     230        5000
 APRIA HEALTHCARE GROUP INC COMMON 037933108      468     33600 N  X                     230       33600
 ALCAN ALUM LTD             COMMON 013716105      434     15000 N  X                     230       15000
 AMR CORP DEL -W/RTS TO PUR COMMON 001765106     1634     50000 N  X                     230       50000
 ***ALBERTA ENERGY CO LTD   COMMON 012873105      416     10000 N  X                     230       10000
 ARIBA INC                  OTC IS 04033V104     2149     15000 N  X                     230       15000
 ASHLAND INC                COMMON 044204105     1347     40000 N  X                     230       40000
 ALLEGHENY TECHNOLOGIES INC COMMON 01741R102     1178     65000 N  X                     230       65000
 ATS MEDICAL INC            OTC IS 002083103      527     35000 N  X                     230       35000
 AMERICAN EXPRESS CO        COMMON 025816109      911     15000 N  X                     230       15000
 BAXTER INTERNATIONAL INC   COMMON 071813109     1197     15000 N  X                     230       15000
 BAKER HUGHES INC           COMMON 057224107     1299     35000 N  X                     230       35000
 ***BROKEN HILL PROPRIETARY COMMON 112169602     1537     75000 N  X                     230       75000
 ***BUSINESS OBJECTS SA     PREFER 12328X107     1131     10000 N  X                     230       10000
 BOWATER INC                COMMON 102183100      697     15000 N  X                     230       15000
 BARR LABORATORIES INC      COMMON 068306109     1326     20000 N  X                     230       20000
 ANHEUSER BUSCH COMPANIES I COMMON 035229103      423     10000 N  X                     230       10000
 ***CHECK POINT SOFTWARE    OTC IS M22465104      788      5000 N  X                     230        5000
 COMINCO LTD                COMMON 200435105      274     20000 N  X                     230       20000
 COMERICA INC               COMMON 200340107     1461     25000 N  X                     230       25000
 CABOT OIL & GAS CORP -CL A COMMON 127097103      815     40000 N  X                     230       40000
 CAPSTONE TURBINE CORP      OTC IS 14067D102     1039     15000 N  X                     230       15000
 CABLETRON SYSTEMS INC      COMMON 126920107      734     25000 N  X                     230       25000
 CSG SYSTEMS INTL INC       OTC IS 126349109      725     25000 N  X                     230       25000
 COVENTRY HEALTH CARE INC   OTC IS 222862104      227     15000 N  X                     230       15000
 DELTA AIR LINES INC        COMMON 247361108     1331     30000 N  X                     230       30000
 QUEST DIAGNOSTICS INC      COMMON 74834L100     1148     10000 N  X                     230       10000
 ECHOSTAR COMMUNICATIONS CO OTC IS 278762109      264      5000 N  X                     230        5000
 DOLLAR TREE STORES INC     OTC IS 256747106      325      8000 N  X                     230        8000
 DONNELLEY R R & SONS CO    COMMON 257867101      983     40000 N  X                     230       40000
 DTE ENERGY CO              COMMON 233331107      383     10000 N  X                     230       10000
 BRINKER INTERNATIONAL INC  COMMON 109641100      904     30000 N  X                     230       30000
 EQUIFAX INC                COMMON 294429105      808     30000 N  X                     230       30000
 EMC CORP-MASS              COMMON 268648102      991     10000 N  X                     230       10000
 EL PASO NATURAL GAS CO NEW COMMON 283905107      924     15000 N  X                     230       15000
 EXODUS COMMUNICATIONS INC  OTC IS 302088109     1234     25000 N  X                     230       25000
 EXTENSITY INC              OTC IS 302255104      349     16600 N  X                     230       16600
 FAMILY DOLLAR STORES INC   COMMON 307000109      193     10000 N  X                     230       10000
 FOUNDRY NETWORKS INC       OTC IS 35063R100      669     10000 N  X                     230       10000
 FIRSTENERGY CORP           COMMON 337932107      269     10000 N  X                     230       10000
 FIRST HEALTH GROUP CORP    OTC IS 320960107     1290     40000 N  X                     230       40000
 FREEMARKETS INC            OTC IS 356602102      286      5000 N  X                     230        5000
 GENERAL DYNAMICS CORP      COMMON 369550108     1884     30000 N  X                     230       30000
 GENERAL ELECTRIC CO        COMMON 369604103     1442     25000 N  X                     230       25000
 GENERAL MOTORS CORP - CL H COMMON 370442832     1115     30000 N  X                     230       30000
 GEMSTAR TV GUIDE INTL INC  OTC IS 36866W106      872     10000 N  X                     230       10000
 GATX CORP                  COMMON 361448103      419     10000 N  X                     230       10000
 B F GOODRICH CO            COMMON 382388106     1372     35000 N  X                     230       35000
 MISSISSIPPI CHEMICAL CORP  COMMON 605288208      360     90000 N  X                     230       90000
 GENCORP INC -W/RTS TO PUR  COMMON 368682100      163     20000 N  X                     230       20000
 HARLEY DAVIDSON INC        COMMON 412822108      239      5000 N  X                     230        5000
 HARRAHS ENTERTAINMENT INC  COMMON 413619107      688     25000 N  X                     230       25000
 HOTJOBS COM INC            OTC IS 441474103     1984    116300 N  X                     230      116300
 IASIAWORKS INC             OTC IS 45072L101     1527    152700 N  X                     230      152700
 ICOS CORP                  OTC IS 449295104      812     15000 N  X                     230       15000
 ***IMPERIAL OIL LTD NEW    COMMON 453038408     1173     45000 N  X                     230       45000
 INTERSIL HLDG CORP         OTC IS 46069S109      748     15000 N  X                     230       15000
 ***ISPAT INTERNATIONAL NV- COMMON 464899103      200     40000 N  X                     230       40000
 ITT INDS INC IND           COMMON 450911102     1135     35000 N  X                     230       35000
 JONES APPAREL GROUP INC    COMMON 480074103      265     10000 N  X                     230       10000
 KROGER CO                  COMMON 501044101      677     30000 N  X                     230       30000
 LYCOS INC                  OTC IS 550818108     1719     25000 N  X                     230       25000
 LG&E ENERGY CORP           COMMON 501917108      611     25000 N  X                     230       25000
 LABORATORY CORP AMER HLDGS COMMON 50540R409     1198     10000 N  X                     230       10000
 L-3 COMMUNICATIONS HLDINGS COMMON 502424104      848     15000 N  X                     230       15000
 LINCARE HOLDINGS INC       OTC IS 532791100      559     19500 N  X                     230       19500
 VA LINUX SYSTEMS INC       OTC IS 91819B105      694     15000 N  X                     230       15000
 SOUTHWEST AIRLINES CO      COMMON 844741108      606     25000 N  X                     230       25000
 MEDIMMUNE INC              OTC IS 584699102     1159     15000 N  X                     230       15000
 MESA AIR GROUP INC         OTC IS 590479101      547    100000 N  X                     230      100000
 MCGRAW HILL INC            COMMON 580645109      953     15000 N  X                     230       15000
 MID ATLANTIC MEDICAL SERVI COMMON 59523C107      227     15000 N  X                     230       15000
 PHILIP MORRIS COMPANIES IN COMMON 718154107      442     15000 N  X                     230       15000
 MOLEX INC                  OTC IS 608554101      544     10000 N  X                     230       10000
 USX-MARATHON GROUP         COMMON 902905827      426     15000 N  X                     230       15000
 MGIC INVESTMENT CORP-WIS   COMMON 552848103      611     10000 N  X                     230       10000
 METAL MANAGEMENT INC       OTC IS 591097100       63    225000 N  X                     230      225000
 MICRON TECHNOLOGY INC      COMMON 595112103      690     15000 N  X                     230       15000
 MAVERICK TUBE CORP         COMMON 577914104      673     25000 N  X                     230       25000
 MAXIM INTEGRATED PRODUCTS  OTC IS 57772K101     1207     15000 N  X                     230       15000
 ***NORSK HYDRO A/S         COMMON 656531605     1227     29000 N  X                     230       29000
 NORTHWEST AIRLINES CORP-CL OTC IS 667280101      614     25000 N  X                     230       25000
 OLD KENT FINL CORP         COMMON 679833103      289     10000 N  X                     230       10000
 ONI SYSTEMS CORP           OTC IS 68273F103      432      5000 N  X                     230        5000
 ORACLE SYSTEMS CORP        OTC IS 68389X105      394      5000 N  X                     230        5000
 OXFORD HEALTH PLANS INC    OTC IS 691471106     1076     35000 N  X                     230       35000
 OCCIDENTAL PETE CORP-DEL   COMMON 674599105      218     10000 N  X                     230       10000
 ***ASIA PULP & PAPER CO LT COMMON 04516V100      201    115000 N  X                     230      115000
 ***PLACER DOME INC         COMMON 725906101      236     25000 N  X                     230       25000
 PACIFICARE HEALTH SYSTEMS  OTC IS 695112102      832     23900 N  X                     230       23900
 PARKER DRILLING CO         COMMON 701081101      140     20000 N  X                     230       20000
 PROTECTIVE LIFE CORP       COMMON 743674103      896     30000 N  X                     230       30000
 PRESSTEK INC               OTC IS 741113104      384     20000 N  X                     230       20000
 POWERWAVE TECHNOLOGIES INC OTC IS 739363109      380     10000 N  X                     230       10000
 QUANTA SERVICES INC        COMMON 74762E102      963     35000 N  X                     230       35000
 RADIOSHACK CORP            COMMON 750438103      646     10000 N  X                     230       10000
 SAFECO CORP                OTC IS 786429100      463     17000 N  X                     230       17000
 SANMINA CORP               OTC IS 800907107      468      5000 N  X                     230        5000
 SCHNITZER STEEL INDUSTRIES OTC IS 806882106     1117     78400 N  X                     230       78400
 ***STOLT COMEX SEAWAY SA   OTC IS L8873E103      744     50000 N  X                     230       50000
 SIERRA PACIFIC RESOURCES   COMMON 826428104      360     20000 N  X                     230       20000
 SMURFIT-STONE CONTAINER CO OTC IS 832727101      283     23600 N  X                     230       23600
 SUN MICROSYSTEMS INC       OTC IS 866810104     1751     15000 N  X                     230       15000
 TRIGON HEALTHCARE INC      COMMON 89618L100      694     13200 N  X                     230       13200
 TEKELEC INC                OTC IS 879101103      230      7000 N  X                     230        7000
 ***TALISMAN ENERGY INC     OTC IS 87425E103      526     15000 N  X                     230       15000
 TORCHMARK CORP             COMMON 891027104      695     25000 N  X                     230       25000
 TMP WORLDWIDE INC          OTC IS 872941109     1208     15000 N  X                     230       15000
 TOSCO CORP NEW             COMMON 891490302      312     10000 N  X                     230       10000
 TOTAL RENAL CARE HOLDINGS  COMMON 89151A107      375     50000 N  X                     230       50000
 TYCO INTERNATIONAL LTD NEW COMMON 902124106      259      5000 N  X                     230        5000
 U S AIR GROUP INC          COMMON 911905107     1065     35000 N  X                     230       35000
 ULTRAMAR DIAMOND SHAMROCK  COMMON 904000106      888     35000 N  X                     230       35000
 VISHAY INTERTECHNOLOGY INC COMMON 928298108      461     15000 N  X                     230       15000
 WEBEX COMMUNICATIONS INC   OTC IS 94767L109      553     15000 N  X                     230       15000
 WENDYS INTL INC            COMMON 950590109     1204     60000 N  X                     230       60000
 WHOLE FOODS MARKET INC     OTC IS 966837106      537     10000 N  X                     230       10000
 WILLIAMS COMPANIES INC     COMMON 969457100      423     10000 N  X                     230       10000
 WASTE MANAGEMENT INC       COMMON 94106L109      610     35000 N  X                     230       35000
 WILLIAMS SONOMA INC        COMMON 969904101      521     15000 N  X                     230       15000
 VENATOR GROUP              COMMON 922944103      186     15000 N  X                     230       15000




</TABLE>


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